Binance Square

zahid-285d2

20 Obserwowani
13 Obserwujący
13 Polubione
26 Udostępnione
Posty
·
--
$XRP TO BYŁO MOŻLIWE, ŻE XRP OSIĄGNIE +2 USD, ZAINWESTUJ W TO I ZYSKAJ ZYSK🚀💰💵💸💰 {spot}(XRPUSDT) HANDLUJ TUTAJ👇
$XRP TO BYŁO MOŻLIWE, ŻE XRP OSIĄGNIE +2 USD, ZAINWESTUJ W TO I ZYSKAJ ZYSK🚀💰💵💸💰


HANDLUJ TUTAJ👇
$WLD WORLDCOIN BREAKOUT IMMINENT $1 Entry: 0.58 🟩 Target 1: 0.62 🎯 Target 2: 1.40 🎯 Target 3: 2.20 🎯 Target 4: 4.30 🎯 Stop Loss: 0.45 🛑 $WLD is screaming buy. The 3-day chart shows a bottoming pattern. Strong recovery is building. Buyers are flooding in. This dip is being aggressively bought. Massive upside incoming. Do not miss this explosion. Disclaimer: Trading is risky. #WLD #Worldcoin #CryptoGems #Trading
$WLD
WORLDCOIN BREAKOUT IMMINENT $1
Entry: 0.58 🟩
Target 1: 0.62 🎯
Target 2: 1.40 🎯
Target 3: 2.20 🎯
Target 4: 4.30 🎯
Stop Loss: 0.45 🛑
$WLD is screaming buy. The 3-day chart shows a bottoming pattern. Strong recovery is building. Buyers are flooding in. This dip is being aggressively bought. Massive upside incoming. Do not miss this explosion.
Disclaimer: Trading is risky.
#WLD #Worldcoin #CryptoGems #Trading
$OG {spot}(OGUSDT) looks heavy at supply, momentum stalling after ATH push. Short OG Entry: 4.00 – 4.10 SL: 4.65 TP1: 3.80 TP2: 3.50 TP3: 3.20 Price rejected hard from 4.63 ATH, volume fading and structure turning into distribution. As long as $OG stays below the 4.4–4.6 supply zone, downside continuation is favored. Trade $OG 👇
$OG
looks heavy at supply, momentum stalling after ATH push.
Short OG
Entry: 4.00 – 4.10
SL: 4.65
TP1: 3.80
TP2: 3.50
TP3: 3.20
Price rejected hard from 4.63 ATH, volume fading and structure turning into distribution. As long as $OG stays below the 4.4–4.6 supply zone, downside continuation is favored.
Trade $OG 👇
$SHIB {spot}(SHIBUSDT) Here is the "espresso shot" version of the SHIB analysis for February 4, 2026: Market Pulse * Price: ~$0.00000684 (+2.93%) * Sentiment: Accumulation. Sellers are exhausted; whales are moving tokens to "cold storage," drying up exchange liquidity. Technical Setup * Pattern: Falling Wedge. Price is tightening for a breakout. * Signals: A Hammer Candle at the $0.0000065 floor + Bullish RSI Divergence = Reversal incoming. The Cheat Sheet | Level | Price | Significance | |---|---|---| | Resistance | $0.0000095 | The "Moon" gate; confirms the trend change. | | Pivot | $0.0000082 | 200-day EMA hurdle. | | Support | $0.0000065 | The ultimate floor (Must hold). | Why It's Moving * Automated Burns: Shibarium L2 is now permanently eating supply with every trade. * Privacy Narrative: High anticipation for the Q2 2026 FHE (Encryption) Upgrade. Bottom Line: SHIB is testing a historic floor. If $0.0000065 holds, look for a relief rally toward $0.0000095 by the end of February. Would you like me to create a 30-second "Veo" video visualizing this trend for your social media?
$SHIB

Here is the "espresso shot" version of the SHIB analysis for February 4, 2026:
Market Pulse
* Price: ~$0.00000684 (+2.93%)
* Sentiment: Accumulation. Sellers are exhausted; whales are moving tokens to "cold storage," drying up exchange liquidity.
Technical Setup
* Pattern: Falling Wedge. Price is tightening for a breakout.
* Signals: A Hammer Candle at the $0.0000065 floor + Bullish RSI Divergence = Reversal incoming.
The Cheat Sheet
| Level | Price | Significance |
|---|---|---|
| Resistance | $0.0000095 | The "Moon" gate; confirms the trend change. |
| Pivot | $0.0000082 | 200-day EMA hurdle. |
| Support | $0.0000065 | The ultimate floor (Must hold). |
Why It's Moving
* Automated Burns: Shibarium L2 is now permanently eating supply with every trade.
* Privacy Narrative: High anticipation for the Q2 2026 FHE (Encryption) Upgrade.
Bottom Line: SHIB is testing a historic floor. If $0.0000065 holds, look for a relief rally toward $0.0000095 by the end of February.
Would you like me to create a 30-second "Veo" video visualizing this trend for your social media?
$ETH {spot}(ETHUSDT) As of February 4, 2026, Ethereum (ETH) is navigating a period of significant volatility and "extreme fear" sentiment. Here is a concise breakdown of the current market state and technical outlook. 1. Market Summary (Feb 4, 2026) Current Price: ~$2,244 USD 24h Change: +2.1% (Minor recovery) 7d Performance: -23.1% (Significant sell-off) Market Cap: ~$271 Billion 2. Technical Analysis & Candlestick Patterns The daily and weekly charts currently show a dominant bearish trend, but signs of a potential bottom are emerging at key support levels. Candlestick Status: The weekly chart recently closed with a Bearish Engulfing pattern, signaling strong selling pressure throughout late January. However, the 4-hour and daily charts are currently forming a Falling Wedge, a technical pattern that often precedes a bullish reversal if the upper resistance is broken. Support & Resistance: Major Support: $2,100 – $2,180. This is a "must-hold" zone; a dip below could trigger a slide toward $1,800. Immediate Resistance: $2,450. ETH needs a daily close above this to neutralize the bearish momentum. Target Resistance: $3,000. Reclaiming this psychological level would signal the end of the current "crypto winter" phase. 3. Network & Fundamental Outlook Upgrade Roadmap: The "Glamsterdam" upgrade is scheduled for early 2026, aimed at optimizing Layer-1 throughput and reducing storage pressure. Institutional Play: Despite price drops, institutional treasuries (like Bitmine Immersion) continue to accumulate. The long-term narrative remains focused on Layer-2 dominance and real-world asset tokenization. Visualizing the Chart The current chart shows a series of lower highs and lower lows (the wedge), with high volume spikes on the red (selling) candles, indicating a period of capitulation that may be nearing its end. I have generated a visual representation of the current ETH candlestick chart for you below. Would you like me to create a more detailed price prediction for the upcoming "Glamsterdam" upgrade?
$ETH

As of February 4, 2026, Ethereum (ETH) is navigating a period of significant volatility and "extreme fear" sentiment. Here is a concise breakdown of the current market state and technical outlook.
1. Market Summary (Feb 4, 2026)
Current Price: ~$2,244 USD
24h Change: +2.1% (Minor recovery)
7d Performance: -23.1% (Significant sell-off)
Market Cap: ~$271 Billion
2. Technical Analysis & Candlestick Patterns
The daily and weekly charts currently show a dominant bearish trend, but signs of a potential bottom are emerging at key support levels.
Candlestick Status: The weekly chart recently closed with a Bearish Engulfing pattern, signaling strong selling pressure throughout late January. However, the 4-hour and daily charts are currently forming a Falling Wedge, a technical pattern that often precedes a bullish reversal if the upper resistance is broken.
Support & Resistance:
Major Support: $2,100 – $2,180. This is a "must-hold" zone; a dip below could trigger a slide toward $1,800.
Immediate Resistance: $2,450. ETH needs a daily close above this to neutralize the bearish momentum.
Target Resistance: $3,000. Reclaiming this psychological level would signal the end of the current "crypto winter" phase.
3. Network & Fundamental Outlook
Upgrade Roadmap: The "Glamsterdam" upgrade is scheduled for early 2026, aimed at optimizing Layer-1 throughput and reducing storage pressure.
Institutional Play: Despite price drops, institutional treasuries (like Bitmine Immersion) continue to accumulate. The long-term narrative remains focused on Layer-2 dominance and real-world asset tokenization.
Visualizing the Chart
The current chart shows a series of lower highs and lower lows (the wedge), with high volume spikes on the red (selling) candles, indicating a period of capitulation that may be nearing its end.
I have generated a visual representation of the current ETH candlestick chart for you below.
Would you like me to create a more detailed price prediction for the upcoming "Glamsterdam" upgrade?
$BNB — dip defended, demand still holding after the pullback. Long BNB Entry: 755 – 770 SL: 720 TP1: 820 TP2: 880 TP3: 960 $BNB swept into a key demand zone and buyers stepped in quickly, showing absorption on the sell pressure. The downside move failed to expand, with clear rejection forming around the lows and momentum starting to stabilize. As long as 720 holds, this still looks like a corrective pullback within a bullish structure, favoring continuation higher. {spot}(BNBUSDT) Trade$BNB here 👇
$BNB — dip defended, demand still holding after the pullback.
Long BNB
Entry: 755 – 770
SL: 720
TP1: 820
TP2: 880
TP3: 960
$BNB swept into a key demand zone and buyers stepped in quickly, showing absorption on the sell pressure. The downside move failed to expand, with clear rejection forming around the lows and momentum starting to stabilize. As long as 720 holds, this still looks like a corrective pullback within a bullish structure, favoring continuation higher.

Trade$BNB here 👇
$FRAX JEST GOTOWY DO WYBUCHU $1 Wejście: CENA RYNKOWA 🟩 Cel 1: 0.9365 🎯 Cel 2: 0.9763 🎯 Zlecenie Stop Loss: 0.8587 🛑 To NIE jest ćwiczenie. $FRAX wydrukował ogromny byczy trójkąt. Kupujący mają kontrolę. Wybicie jest nieuniknione. Przygotuj się do startu. To twoja szansa. Nie zostawaj w tyle. Wykres krzyczy kup. Działaj teraz. To jest transakcja tygodnia. Zastrzeżenie: Nie jest to porada finansowa. #FRAX #CryptoTrading #FOMO 🚀 {spot}(FRAXUSDT)
$FRAX JEST GOTOWY DO WYBUCHU $1
Wejście: CENA RYNKOWA 🟩
Cel 1: 0.9365 🎯
Cel 2: 0.9763 🎯
Zlecenie Stop Loss: 0.8587 🛑
To NIE jest ćwiczenie. $FRAX wydrukował ogromny byczy trójkąt. Kupujący mają kontrolę. Wybicie jest nieuniknione. Przygotuj się do startu. To twoja szansa. Nie zostawaj w tyle. Wykres krzyczy kup. Działaj teraz. To jest transakcja tygodnia.
Zastrzeżenie: Nie jest to porada finansowa.
#FRAX #CryptoTrading #FOMO 🚀
$SOL {spot}(SOLUSDT) Solana (SOL) Market Analysis – February 3, 2026 Solana is currently navigating a period of significant volatility. After reaching highs near \$140 in mid-January, the token has entered a corrective phase, recently testing the critical psychological support level of \$100. Key Analysis Highlights: * Current Price: Approximately $$103.78 (recovering from a weekend low of \$95.95). * Market Sentiment: Fearful/Neutral. While the broader market is under pressure, SOL’s resilience above \$100 suggests strong interest from institutional buyers who are accumulating during dips. * Technical Outlook: * Support: The immediate floor sits at \$96.00. If this fails, the next major support zone is between \$80 and \$85. * Resistance: To regain bullish momentum, SOL must break and hold above the $$115 – \$120 pivot zone, which is currently acting as a stiff overhead supply. * Fundamental Catalysts: * Firedancer Upgrade: The transition of the Firedancer validator client to mainnet maturity remains the primary long-term driver, promising speeds exceeding 1,000,000 TPS. * Institutional Inflows: Solana continues to lead altcoins in weekly institutional fund inflows, often decoupling from the negative trends seen in BTC and ETH. Candlestick Chart Observation: As seen in the chart below, the last 16 days show a clear downward channel. However, the most recent "candles" (Feb 1–3) show long lower wicks (tails), indicating that buyers are aggressively defending the sub-\$100 price point. Summary: SOL is "oversold" on the short-term RSI. A period of consolidation between \$100 and \$110 is expected before the next major move. Keeping an eye on the \$115 resistance is key for trend reversal.
$SOL

Solana (SOL) Market Analysis – February 3, 2026
Solana is currently navigating a period of significant volatility. After reaching highs near \$140 in mid-January, the token has entered a corrective phase, recently testing the critical psychological support level of \$100.
Key Analysis Highlights:
* Current Price: Approximately $$103.78 (recovering from a weekend low of \$95.95).
* Market Sentiment: Fearful/Neutral. While the broader market is under pressure, SOL’s resilience above \$100 suggests strong interest from institutional buyers who are accumulating during dips.
* Technical Outlook: * Support: The immediate floor sits at \$96.00. If this fails, the next major support zone is between \$80 and \$85.
* Resistance: To regain bullish momentum, SOL must break and hold above the $$115 – \$120 pivot zone, which is currently acting as a stiff overhead supply.
* Fundamental Catalysts: * Firedancer Upgrade: The transition of the Firedancer validator client to mainnet maturity remains the primary long-term driver, promising speeds exceeding 1,000,000 TPS.
* Institutional Inflows: Solana continues to lead altcoins in weekly institutional fund inflows, often decoupling from the negative trends seen in BTC and ETH.
Candlestick Chart Observation:
As seen in the chart below, the last 16 days show a clear downward channel. However, the most recent "candles" (Feb 1–3) show long lower wicks (tails), indicating that buyers are aggressively defending the sub-\$100 price point.
Summary: SOL is "oversold" on the short-term RSI. A period of consolidation between \$100 and \$110 is expected before the next major move. Keeping an eye on the \$115 resistance is key for trend reversal.
$POL {spot}(POLUSDT) Clear Uptrend •Strong bullish engulfing pattern forming around 0.104-0.110 levels • Higher lows established since the 0.101 daily low • Current consolidation near daily highs shows healthy pause before potential continuation • Volume spikes on upward moves confirm buyer interest • Recent 1h candles show declining volume during consolidation, typical before potential breakout • Capital Flows: Strong 24h net inflow of 2.65M USDT in contracts, while spot markets show 221.8K inflow, indicating derivative-driven momentum • Short-term flows (5m-1h) show consistent inflows, supporting near-term bullish case Entry long $POL : 0.1155- 0.1165 (on confirmed bounce from support) Stop Loss: 0.110 USDT Take Profit $POL Primary: 0.122 USDT Secondary: 0.125 USDT Support me just Click Trade here👇
$POL
Clear Uptrend
•Strong bullish engulfing pattern forming around 0.104-0.110 levels
• Higher lows established since the 0.101 daily low
• Current consolidation near daily highs shows healthy pause before potential continuation
• Volume spikes on upward moves confirm buyer interest
• Recent 1h candles show declining volume during consolidation, typical before potential breakout
• Capital Flows: Strong 24h net inflow of 2.65M USDT in contracts, while spot markets show 221.8K inflow, indicating derivative-driven momentum
• Short-term flows (5m-1h) show consistent inflows, supporting near-term bullish case
Entry long $POL : 0.1155- 0.1165 (on confirmed bounce from support)
Stop Loss: 0.110 USDT
Take Profit $POL
Primary: 0.122 USDT
Secondary: 0.125 USDT
Support me just Click Trade here👇
$SHIB As of February 3, 2026, the market is currently fixated on the "Great Meme Flippening"the battle between Shiba Inu (SHIB) and Pepe (PEPE) for the #2 spot in the meme coin rankings. Here is a short, clear analysis of where both stand and how they are colliding: 1. Market Sentiment & Performance The Vibe: We are currently in a state of "Extreme Fear" across the meme sector. Most major tokens are testing long-term support levels after a volatile start to the year. * SHIB Status: Trading around $0.0000069. It is struggling to maintain its market cap (currently ~$4.1B) as it transitions from a "pure meme" to a "utility ecosystem." * PEPE Status: Trading around $0.0000041. While currently bearish, it shows higher {spot}(SHIBUSDT) beta(volatility), meaning it tends to bounce harder than SHIB when Bitcoin stabilizes. 2. The Shib vs. Pepe Dynamics | Feature | Shiba Inu (SHIB) | Pepe (PEPE) | | Identity | Ecosystem-focused (L2, DeFi, NFTs) | Pure, high-liquidity meme | | Main Catalyst | Potential Spot ETF & Q2 Privacy Upgrades | Social dominance & Flippening hype | | Risk Level | Moderate (for a meme) | High (purely speculative) | | 2026 Goal | Reclaim $0.000015 via Shibarium | Overtake SHIB by April 2026 | 3. Strategic Outlook The Bull Case: If Bitcoin pushes toward new highs this year, PEPE is positioned to lead the meme mania because it lacks the "overhead resistance of a complex ecosystem. Analysts suggest PEPE could flip SHIB's market cap if it breaks the $0.0000067 resistance. The Bear Case: SHIB is currently more resilient during deep dips because of its massive burning mechanism and institutional interest (e.g., T. Rowe Price's ETF filing). PEPE, lacking a fundamental floor risks deeper 20-30% drops if sentiment doesn't shift by March. {spot}(PEPEUSDT)
$SHIB
As of February 3, 2026, the market is currently fixated on the "Great Meme Flippening"the battle between Shiba Inu (SHIB) and Pepe (PEPE) for the #2 spot in the meme coin rankings.
Here is a short, clear analysis of where both stand and how they are colliding:
1. Market Sentiment & Performance
The Vibe: We are currently in a state of "Extreme Fear" across the meme sector. Most major tokens are testing long-term support levels after a volatile start to the year.
* SHIB Status: Trading around $0.0000069. It is struggling to maintain its market cap (currently ~$4.1B) as it transitions from a "pure meme" to a "utility ecosystem."
* PEPE Status: Trading around $0.0000041. While currently bearish, it shows higher
beta(volatility), meaning it tends to bounce harder than SHIB when Bitcoin stabilizes.
2. The Shib vs. Pepe Dynamics
| Feature | Shiba Inu (SHIB) | Pepe (PEPE) |
| Identity | Ecosystem-focused (L2, DeFi, NFTs) | Pure, high-liquidity meme |
| Main Catalyst | Potential Spot ETF & Q2 Privacy Upgrades | Social dominance & Flippening hype |
| Risk Level | Moderate (for a meme) | High (purely speculative) |
| 2026 Goal | Reclaim $0.000015 via Shibarium | Overtake SHIB by April 2026 |
3. Strategic Outlook
The Bull Case: If Bitcoin pushes toward new highs this year, PEPE is positioned to lead the meme mania because it lacks the "overhead resistance of a complex ecosystem. Analysts suggest PEPE could flip SHIB's market cap if it breaks the $0.0000067 resistance.
The Bear Case: SHIB is currently more resilient during deep dips because of its massive burning mechanism and institutional interest (e.g., T. Rowe Price's ETF filing). PEPE, lacking a fundamental floor risks deeper 20-30% drops if sentiment doesn't shift by March.
$ETH Ethereum is currently in a "reset" phase following a volatile start to 2026. After hitting an all-time high of ~$4,955 in August 2025, the network has seen significant cooling, though its fundamental roadmap remains the most robust in the industry. Current Market Snapshot (Feb 2026) * Price: ~$2,340 (Consolidating after a ~22% weekly dip). * Market Cap: ~$280B. * Dominance: ~10-11% (Recovering from recent lows). * Sentiment: Extreme Fear (Short-term), but with significant whale accumulation during the recent $2,100–$2,200 range. Key Fundamental Catalysts * The "Glamsterdam" Fork (Mid-2026): This is the next major milestone. It aims to increase the gas limit from 60M to over 200M, effectively slashing Layer 1 congestion. It also introduces ePBS (Enshrined Proposer-Builder Separation), which protects the network from centralization by dominant block builders. * Regulatory Tailwinds: The market is pricing in the Digital Asset Market Clarity Act (expected summer 2026). This legislation is predicted to trigger a massive wave of institutional adoption, as it provides the legal framework that big banks have been waiting for to fully integrate ETH. * L2 Ecosystem Maturity: While Layer 2s (Arbitrum, Optimism, Base) are pulling some fee revenue away from the main chain, they have successfully scaled Ethereum to handle millions of daily active users, maintaining its position as the "Settlement Layer" of the internet. Short-Term vs. Long-Term Outlook * Short-Term: ETH is facing heavy resistance at the $2,400 level. Until it breaks this, expect sideways movement or "retests" of the $2,100 support floor. * Long-Term: Analysts are targeting a return to $4,000+ by Q3 2026, driven by the Glamsterdam upgrade and the influx of institutional capital post-regulation. > Bottom Line: Ethereum is currently "on sale" relative to its 2025 peaks. The network is trading speed for stability, preparing for its next massive scaling leap later this year. > Would you like me to compare Ethereum's 2026 performance against Solana or Bitcoin? {spot}(ETHUSDT)
$ETH
Ethereum is currently in a "reset" phase following a volatile start to 2026. After hitting an all-time high of ~$4,955 in August 2025, the network has seen significant cooling, though its fundamental roadmap remains the most robust in the industry.
Current Market Snapshot (Feb 2026)
* Price: ~$2,340 (Consolidating after a ~22% weekly dip).
* Market Cap: ~$280B.
* Dominance: ~10-11% (Recovering from recent lows).
* Sentiment: Extreme Fear (Short-term), but with significant whale accumulation during the recent $2,100–$2,200 range.
Key Fundamental Catalysts
* The "Glamsterdam" Fork (Mid-2026):
This is the next major milestone. It aims to increase the gas limit from 60M to over 200M, effectively slashing Layer 1 congestion. It also introduces ePBS (Enshrined Proposer-Builder Separation), which protects the network from centralization by dominant block builders.
* Regulatory Tailwinds:
The market is pricing in the Digital Asset Market Clarity Act (expected summer 2026). This legislation is predicted to trigger a massive wave of institutional adoption, as it provides the legal framework that big banks have been waiting for to fully integrate ETH.
* L2 Ecosystem Maturity:
While Layer 2s (Arbitrum, Optimism, Base) are pulling some fee revenue away from the main chain, they have successfully scaled Ethereum to handle millions of daily active users, maintaining its position as the "Settlement Layer" of the internet.
Short-Term vs. Long-Term Outlook
* Short-Term: ETH is facing heavy resistance at the $2,400 level. Until it breaks this, expect sideways movement or "retests" of the $2,100 support floor.
* Long-Term: Analysts are targeting a return to $4,000+ by Q3 2026, driven by the Glamsterdam upgrade and the influx of institutional capital post-regulation.
> Bottom Line: Ethereum is currently "on sale" relative to its 2025 peaks. The network is trading speed for stability, preparing for its next massive scaling leap later this year.
>
Would you like me to compare Ethereum's 2026 performance against Solana or Bitcoin?
They're quietly positioning for a $WLFI {spot}(WLFIUSDT) /USDT breakdown. $WLFI - SHORT Trade Plan: Entry: 0.127769 – 0.129045 SL: 0.132235 TP1: 0.124579 TP2: 0.123303 TP3: 0.120751 Why this setup? • 4H chart shows a SHORT setup armed at a key reference level (0.1284). • RSI on the 15M timeframe is weak at 41, showing bearish momentum. • The 1D trend is ranging, suggesting a breakout from consolidation is imminent. The lower targets (TP1: 0.1246) are now in play. Debate: Is this the start of a major range breakdown, or just another fakeout? Trade here 👇
They're quietly positioning for a $WLFI
/USDT breakdown.
$WLFI - SHORT
Trade Plan:
Entry: 0.127769 – 0.129045
SL: 0.132235
TP1: 0.124579
TP2: 0.123303
TP3: 0.120751
Why this setup?
• 4H chart shows a SHORT setup armed at a key reference level (0.1284).
• RSI on the 15M timeframe is weak at 41, showing bearish momentum.
• The 1D trend is ranging, suggesting a breakout from consolidation is imminent. The lower targets (TP1: 0.1246) are now in play.
Debate:
Is this the start of a major range breakdown, or just another fakeout?
Trade here 👇
2021: $DOGE → 194,000% 2022: $SHIB → 700,000% 2023: $PEPE → 6,000% 2024: $BONK → 25,000% 2026: $ZEC loading… 👀🚀 The game never stops. {spot}(DOGEUSDT) {spot}(SHIBUSDT) {spot}(PEPEUSDT)
2021: $DOGE → 194,000%
2022: $SHIB → 700,000%
2023: $PEPE → 6,000%
2024: $BONK → 25,000%
2026: $ZEC loading… 👀🚀
The game never stops.
🚨 $AXS Clear Downtrend but oversold Current price 1.62 is trading below all major Moving Averages (MA5=1.66, MA10=1.67, MA20=1.69), confirming the downtrend. The 120-period MA at 1.96 shows significant long-term bearish momentum. Recent K-line data shows elevated volume during downside moves and weaker volume on minor rallies, confirming selling pressure dominates. Capital Flow: Spot Flows: Predominantly negative over short-term periods (-142k USDT 1H), indicating retail selling. Contract Flows: Mixed but net negative in critical short-term windows (-1.07M USDT 1H), though some longer-term inflows exist (+4.48M 12H). This suggests institutional accumulation at lower levels but not yet reversing the trend. Entry short $AXS : on any rebound toward resistance zones, particularly near 1.69 or 1.72. Alternatively, a break below 1.61 (24h low) could offer a delayed short entry. Stop-Loss: 1.75 for entry shorts 1.69; 1.67 for breakdown shorts 1.61 Target Price $AXS : 1.61 (support) or 1.58 (lower support) Support me just Click Trade here👇 #axs #axsusdt #AxieInfinity {spot}(AXSUSDT)
🚨 $AXS Clear Downtrend but oversold
Current price 1.62 is trading below all major Moving Averages (MA5=1.66, MA10=1.67, MA20=1.69), confirming the downtrend. The 120-period MA at 1.96 shows significant long-term bearish momentum.
Recent K-line data shows elevated volume during downside moves and weaker volume on minor rallies, confirming selling pressure dominates.
Capital Flow:
Spot Flows: Predominantly negative over short-term periods (-142k USDT 1H), indicating retail selling.
Contract Flows: Mixed but net negative in critical short-term windows (-1.07M USDT 1H), though some longer-term inflows exist (+4.48M 12H). This suggests institutional accumulation at lower levels but not yet reversing the trend.
Entry short $AXS : on any rebound toward resistance zones, particularly near 1.69 or 1.72. Alternatively, a break below 1.61 (24h low) could offer a delayed short entry.
Stop-Loss: 1.75 for entry shorts 1.69; 1.67 for breakdown shorts 1.61
Target Price $AXS : 1.61 (support) or 1.58 (lower support)
Support me just Click Trade here👇
#axs #axsusdt #AxieInfinity
$BTR BTR Attention🚨🚨 — Bearish Signal detected — it will drop to $0.10 — Short now $BTR {future}(BTRUSDT)
$BTR
BTR Attention🚨🚨
— Bearish Signal detected
— it will drop to $0.10
— Short now $BTR
$FOLKS {future}(FOLKSUSDT) EXPLODES NOW OR NEVER Entry: 1.54 🟩 Target 1: 1.65 🎯 Target 2: 1.75 🎯 Target 3: 1.85 🎯 Stop Loss: 1.30 🛑 Buyers have seized total command. This consolidation is a perfect launchpad. Huge upside is imminent. Every single dip is an opportunity. Do not miss this surge. Disclaimer: Not financial advice. #FOLKS #Crypto #Trading #FOMO 🚀
$FOLKS
EXPLODES NOW OR NEVER
Entry: 1.54 🟩
Target 1: 1.65 🎯
Target 2: 1.75 🎯
Target 3: 1.85 🎯
Stop Loss: 1.30 🛑
Buyers have seized total command. This consolidation is a perfect launchpad. Huge upside is imminent. Every single dip is an opportunity. Do not miss this surge.
Disclaimer: Not financial advice.
#FOLKS #Crypto #Trading #FOMO 🚀
INTC: "Moment Decydujący" Snapshot Intel jest obecnie grą o wysokie stawki, przekształcając się z tradycyjnego producenta chipów w podwójnie tożsamościowego "Zachodniego TSMC." Wielka Wygrana: Od stycznia 2026 roku proces technologiczny 18A oficjalnie wszedł w produkcję na dużą skalę. To już nie jest tylko punkt w planie; to silnik w nowych procesorach Panther Lake, w końcu wprowadzający erę "RibbonFET" do mas. Przełom w Odlewnictwie: Intel agresywnie zabiega o rywali. Niedawna sprzedaż akcji za 5 miliardów dolarów do NVIDIA oraz potwierdzone wygrane projektów 18A od dużych firm technologicznych (i Departamentu Obrony) sugerują, że nawet jego konkurenci chcą, aby Intel odniósł sukces jako krajowa alternatywa w produkcji. Finansowe Naciśnięcie: Bycie tytanem jest drogie. Marże brutto są pod presją z powodu budowy "Mega-Fab" w Ohio i Arizonie. Chociaż wyniki za Q4 2025 przewyższyły oczekiwania, prognoza na Q1 2026 jest ostrożna, ponieważ firma radzi sobie z wąskimi gardłami w dostawach. Konkurencja: To walka na ulicy. AMD celuje w 40-50% rynku serwerowego, a NVIDIA posiada wysokiej klasy centrum danych AI. Kontrposunięciem Intela jest AI PC — zakładając, że konsumenci chcą, aby AI działało lokalnie na ich laptopach, a nie tylko w chmurze. Ostateczny Wniosek Intel odzyskał nadzieję dzięki wprowadzeniu 18A, ale jeszcze nie odzyskał pełnego zaufania rynku. Inwestorzy czekają, aż biznes odlewniczy zacznie przynosić stały zysk. To już nie jest bezpieczna gra dywidendowa; to zakład na Suwerenność Krzemu. Czy chciałbyś, żebym zebrał konkretne cele cenowe na 2026 rok od czołowych analityków, aby zobaczyć, dokąd zmierza "Inteligentny Kapitał"? {future}(INTCUSDT)
INTC: "Moment Decydujący" Snapshot
Intel jest obecnie grą o wysokie stawki, przekształcając się z tradycyjnego producenta chipów w podwójnie tożsamościowego "Zachodniego TSMC."
Wielka Wygrana: Od stycznia 2026 roku proces technologiczny 18A oficjalnie wszedł w produkcję na dużą skalę. To już nie jest tylko punkt w planie; to silnik w nowych procesorach Panther Lake, w końcu wprowadzający erę "RibbonFET" do mas.
Przełom w Odlewnictwie: Intel agresywnie zabiega o rywali. Niedawna sprzedaż akcji za 5 miliardów dolarów do NVIDIA oraz potwierdzone wygrane projektów 18A od dużych firm technologicznych (i Departamentu Obrony) sugerują, że nawet jego konkurenci chcą, aby Intel odniósł sukces jako krajowa alternatywa w produkcji.
Finansowe Naciśnięcie: Bycie tytanem jest drogie. Marże brutto są pod presją z powodu budowy "Mega-Fab" w Ohio i Arizonie. Chociaż wyniki za Q4 2025 przewyższyły oczekiwania, prognoza na Q1 2026 jest ostrożna, ponieważ firma radzi sobie z wąskimi gardłami w dostawach.
Konkurencja: To walka na ulicy. AMD celuje w 40-50% rynku serwerowego, a NVIDIA posiada wysokiej klasy centrum danych AI. Kontrposunięciem Intela jest AI PC — zakładając, że konsumenci chcą, aby AI działało lokalnie na ich laptopach, a nie tylko w chmurze.
Ostateczny Wniosek
Intel odzyskał nadzieję dzięki wprowadzeniu 18A, ale jeszcze nie odzyskał pełnego zaufania rynku. Inwestorzy czekają, aż biznes odlewniczy zacznie przynosić stały zysk. To już nie jest bezpieczna gra dywidendowa; to zakład na Suwerenność Krzemu.
Czy chciałbyś, żebym zebrał konkretne cele cenowe na 2026 rok od czołowych analityków, aby zobaczyć, dokąd zmierza "Inteligentny Kapitał"?
1INCH TO THE MOON? WHITE HOUSE SUMMIT TOMORROW! Entry: 0.65 🟩 Target 1: 0.75 🎯 Target 2: 0.85 🎯 Stop Loss: 0.58 🛑 This is it. The moment we've been waiting for. Regulatory clarity is imminent. $1INCH and $QKC are poised for liftoff. The market structure is about to shift. Don't get left behind. This is your chance. Act now. Disclaimer: Not financial advice. #CryptoNews #Trading #FOMO #ToTheMoon 🚀
1INCH TO THE MOON? WHITE HOUSE SUMMIT TOMORROW!
Entry: 0.65 🟩
Target 1: 0.75 🎯
Target 2: 0.85 🎯
Stop Loss: 0.58 🛑
This is it. The moment we've been waiting for. Regulatory clarity is imminent. $1INCH and $QKC are poised for liftoff. The market structure is about to shift. Don't get left behind. This is your chance. Act now.
Disclaimer: Not financial advice.
#CryptoNews #Trading #FOMO #ToTheMoon 🚀
🚨UPDATE: $QKC Over $5 billion in crypto liquidations recorded in the past four days, the largest liquidation wave since October 10th. $ACA $1INCH {spot}(1INCHUSDT) {spot}(QKCUSDT) {spot}(ACAUSDT)
🚨UPDATE: $QKC
Over $5 billion in crypto liquidations recorded in the past four days, the largest liquidation wave since October 10th. $ACA $1INCH
$ETH Analiza rynku Ethereum (ETH): 2 lutego 2026 Rynek Ethereum obecnie przechodzi przez okres znacznej turbulencji. Po stosunkowo stabilnym początku roku, ETH wszedł w ostry "spadek", charakteryzujący się dużą zmiennością i przełamaniem głównych poziomów wsparcia. Podsumowanie rynku | Metrika | Aktualna wartość (przybliżona) | |---|---| | Aktualna cena | $2,195.61 | | Zmiana 24h | -10.22% | | Zmiana 7d | -22.20% | | Kapitalizacja rynkowa | $268.80B | | Wolumen 24h | $42.72B | Sentiment techniczny "Wykres świecowy" poniżej ilustruje agresywną wyprzedaż, która rozpoczęła się pod koniec stycznia. Po osiągnięciu szczytu blisko poziomu $3,450 w połowie stycznia, ruch cenowy utworzył serię niższych maksimum i niższych minimum, ostatecznie przełamując psychologiczne wsparcie na poziomie $2,500. * Opór: Natychmiastowa przeszkoda dla jakiejkolwiek odbudowy znajduje się na poziomie $2,475, który wcześniej pełnił rolę silnej strefy wsparcia. * Wsparcie: Przy obecnym spadkowym momentum, analitycy zwracają uwagę na przedział $1,880 – $1,900 jako następna główna "siatka bezpieczeństwa", gdzie mogą wkroczyć kupujący. * Likwidacje: Ponad $1.1 miliarda w długich pozycjach ETH zostało zlikwidowanych w ciągu ostatnich 48 godzin, podsycając "kaskadowy" efekt widoczny na wykresie. Wykres świecowy Ethereum (YTD 2026) Wykres podkreśla przejście od stabilnego wzrostu do obecnego pionowego spadku, odzwierciedlając szersze uczucie "risk-off" w przestrzeni kryptowalut. Perspektywy fundamentalne Pomimo krwawiącego ruchu cenowego, ekosystem Ethereum pozostaje solidny. Dane on-chain pokazują 393,600 nowych dziennych portfeli i nadal dominację na rynku stablecoinów (posiadając ~57% całkowitej podaży). Obecny spadek wydaje się być napędzany czynnikami makroekonomicznymi—w tym zablokowaniem rządu USA i odpływem ETF—zamiast awarii samej sieci Ethereum. > Podsumowanie: Jesteśmy w cyklu "Strachu". Chociaż długoterminowe fundamenty tokenizacji RWA i wykorzystania sieci pozostają nienaruszone, krótkoterminowe wskaźniki techniczne sugerują, że dno może jeszcze nie być osiągnięte. > Czy chciałbyś, abym przeanalizował korelację między tym spadkiem ETH a niedawnym ruchem Bitcoina do 9-miesięcznych minimów? {spot}(ETHUSDT)
$ETH
Analiza rynku Ethereum (ETH): 2 lutego 2026
Rynek Ethereum obecnie przechodzi przez okres znacznej turbulencji. Po stosunkowo stabilnym początku roku, ETH wszedł w ostry "spadek", charakteryzujący się dużą zmiennością i przełamaniem głównych poziomów wsparcia.
Podsumowanie rynku
| Metrika | Aktualna wartość (przybliżona) |
|---|---|
| Aktualna cena | $2,195.61 |
| Zmiana 24h | -10.22% |
| Zmiana 7d | -22.20% |
| Kapitalizacja rynkowa | $268.80B |
| Wolumen 24h | $42.72B |
Sentiment techniczny
"Wykres świecowy" poniżej ilustruje agresywną wyprzedaż, która rozpoczęła się pod koniec stycznia. Po osiągnięciu szczytu blisko poziomu $3,450 w połowie stycznia, ruch cenowy utworzył serię niższych maksimum i niższych minimum, ostatecznie przełamując psychologiczne wsparcie na poziomie $2,500.
* Opór: Natychmiastowa przeszkoda dla jakiejkolwiek odbudowy znajduje się na poziomie $2,475, który wcześniej pełnił rolę silnej strefy wsparcia.
* Wsparcie: Przy obecnym spadkowym momentum, analitycy zwracają uwagę na przedział $1,880 – $1,900 jako następna główna "siatka bezpieczeństwa", gdzie mogą wkroczyć kupujący.
* Likwidacje: Ponad $1.1 miliarda w długich pozycjach ETH zostało zlikwidowanych w ciągu ostatnich 48 godzin, podsycając "kaskadowy" efekt widoczny na wykresie.
Wykres świecowy Ethereum (YTD 2026)
Wykres podkreśla przejście od stabilnego wzrostu do obecnego pionowego spadku, odzwierciedlając szersze uczucie "risk-off" w przestrzeni kryptowalut.
Perspektywy fundamentalne
Pomimo krwawiącego ruchu cenowego, ekosystem Ethereum pozostaje solidny. Dane on-chain pokazują 393,600 nowych dziennych portfeli i nadal dominację na rynku stablecoinów (posiadając ~57% całkowitej podaży). Obecny spadek wydaje się być napędzany czynnikami makroekonomicznymi—w tym zablokowaniem rządu USA i odpływem ETF—zamiast awarii samej sieci Ethereum.
> Podsumowanie: Jesteśmy w cyklu "Strachu". Chociaż długoterminowe fundamenty tokenizacji RWA i wykorzystania sieci pozostają nienaruszone, krótkoterminowe wskaźniki techniczne sugerują, że dno może jeszcze nie być osiągnięte.
>
Czy chciałbyś, abym przeanalizował korelację między tym spadkiem ETH a niedawnym ruchem Bitcoina do 9-miesięcznych minimów?
Zaloguj się, aby odkryć więcej treści
Poznaj najnowsze wiadomości dotyczące krypto
⚡️ Weź udział w najnowszych dyskusjach na temat krypto
💬 Współpracuj ze swoimi ulubionymi twórcami
👍 Korzystaj z treści, które Cię interesują
E-mail / Numer telefonu
Mapa strony
Preferencje dotyczące plików cookie
Regulamin platformy